Closed-End Funds

Nuveen Emerging Markets Debt 2022 Target Term Fund
(NYSE: JEMD)

Objective

The Fund seeks to provide a high level of current income and return the original $9.85 net asset value per common share on or about December 1, 2022.*

Highlights

JEMD seeks to:

Provide high current income from a portfolio of shorter maturity, emerging market sovereign, quasi-sovereign and corporate debt securities, including high yield securities.

Return the Original $9.85 NAV per common share on or about December 1, 2022*

Investment Strategy

The Fund invests at least 80% of its Managed Assets in emerging market debt securities and may invest without limit in investment grade securities and securities rated below investment grade (BB+/
Ba1 or lower). However, the Fund invests no more than 10% of its Managed Assets in securities rated below B-/B3 or that are unrated but judged by the managers to be of comparable quality. The Fund invests 100% of its Managed Assets in U.S. dollar denominated securities. No more than 25% is invested in securities of issuers located in a single country. In seeking to return the original NAV on or about December 1, 2022, the Fund intends to utilize various portfolio and cash flow management techniques, including setting aside a portion of its net investment income, possibly retaining gains and limiting the longest effective maturity on any holding to no later than June 1, 2023. This Fund uses leverage.

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The chart illustrates the performance of a hypothetical $10,000 investment made on the date indicated. Original Investment & Cumulative Distributions is the original investment value added to the cash flow received from distributions. The total returns are not adjusted to reflect the effects of taxation and assume reinvestment of dividends and capital gains.

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* The objective to return the Fund’s Original NAV is not an express or implied guarantee obligation of the Fund.

†† INCOME ONLY DISTRIBUTIONS

Distributions are sourced entirely from net investment income, unless noted otherwise.
Distribution rates represent the latest declared regular distribution, annualized, relative to the most recent market price and NAV. Special distributions, including special capital gains distributions, are not included in the calculation.

There are risks inherent in any investment, including the possible loss of principal. There can be no assurance that fund objectives will be achieved. Closed-end funds frequently trade at a discount to their net asset value.

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